Weekly Highlights – July 21–25, 2025

✨ RichStrike Markets – Weekly Insights (July 21–25, 2025)


⚠️ Key Insight of the Week

“The Bank of England has asked some lenders to test their resilience to potential US dollar shocks,”
— Reuters, July 2025

This marks a significant shift in global trust toward the US dollar as the financial world’s anchor. With the Trump administration’s policy stance triggering renewed uncertainty, central banks are preparing for systemic volatility.

🛍️ Takeaway:
This isn’t just macro noise — it’s a signal. Institutions are recalibrating exposure, and markets may price in higher currency and credit risk premiums.
Stay alert to cross-asset volatility and flight-to-safety flows.

🗓️ Weekly Highlights – July 22–26, 2025


💼 US100 (Nasdaq 100)

Last week, the index reached a high of 23,155 and a low of 22,627, closing near 23,065 — showing strength into the weekly close.

  • Support zones:
    🟢 22,800 – Minor demand
    🟢 22,600 – Key support
  • Resistance zones:
    🔴 23,200 – Immediate supply
    🔴 23,350 – Breakout target

🛍️ Bias:
Short-term trend is upward, supported by earnings momentum.
But volatility may rise as markets react to tariff impacts and corporate guidance.

📈 US500 (S&P 500)

The index posted a high of 6,318.3low of 6,201.4, and closed at 6,296.79, with bulls showing strength near support.

  • Support zones:
    🟢 6,250 – Pullback area
    🟢 6,200 – Weekly structural support
  • Resistance zones:
    🔴 6,320 – Near-term ceiling
    🔴 6,375 – Upside breakout target

🛍️ Bias:
Still constructive. But as earnings + tariff headlines drive sentiment, expect short bursts of volatility.
Holding above 6,250 = bullish. A break below 6,200 may invite deeper correction.

📊 US30 (Dow Jones)

Last week saw a high of 44,671low of 43,757, and a close at 44,342 — suggesting resilience post-futures expiry.

  • Support zones:
    🟢 43,900 – First support
    🟢 43,750 – Key weekly demand
  • Resistance zones:
    🔴 44,600 – Short-term ceiling
    🔴 44,750 – Breakout threshold

🛍️ Bias:
Neutral to slightly bullish. Post-expiry rotation and earnings flow may cause intraday noise.
Above 43,900 = controlled trend. Below that, buyers may pause.

📣 Notable Earnings – July 22–26, 2025

Monday

  • Verizon (VZ)
  • Domino’s Pizza (DPZ)

Tuesday

  • Coca‑Cola (KO)
  • General Motors (GM)
  • Lockheed Martin (LMT)
  • Texas Instruments (TXN)

Wednesday

  • Alphabet (GOOGL)
  • Chipotle (CMG)
  • Tesla (TSLA)
  • AT&T (T)
  • Freeport‑McMoRan (FCX)
  • General Dynamics (GD)
  • IBM (IBM)
  • QuantumScape (QS)

Thursday

  • Dow Inc. (DOW)
  • Intel (INTC)
  • Nasdaq, Inc. (NDAQ)
  • Southwest Airlines (LUV)

⚠️ Disclaimer: These are personal market views, not financial advice. Please do your own research before making investment decisions.

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